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Conducting "loro" accounts in foreign currency
  1. Calculations in US dollars;
  2. Calculations in US dollars in the current day;
  3. Calculations in all other foreign currencies and also in currencies of the CIS and Baltic countries next day;
  4. Pledging of an extract on operations accomplished under the corresponding account for the last day in the most convenient to the Client form (paper, telex, SWIFT, “Bank-Client” and other);
  5. Charging of  the % on the rest on a corresponding account;  
  6. The possibility of conclusion an overdraft contract;
  7. Assistance in returning, changing of essential elements of payment, searching for not reached the addressee and the expected sums;
  8. The possibility to use any convenient way of telecommunication contacts (TELEX, SWIFT, “Bank-Client” and others)